Table des matières
Tutoriel GnuCash et guide des concepts - documentation didactique
Première partie - Les connaissances de base
- Chapitre 2. Les bases
- Chapitre 3. Importation de données dans GnuCash
- Chapter 4. Configuring GnuCash : Configuring GnuCash
- Overview
- Main Configuration Screens
- Preferences: Accounting Period Tab
- Preferences: Accounts Tab
- Preferences: Online Banking
Deuxième partie - L'utilisation courante
- Chapitre 7 - Cartes de crédit Chapitre 7. Cartes de crédit
- Chapitre 8. Prêts
- Basic Concepts
- Terminology
Setting Up AccountsCalculations- Example: Monthly Payments
- Example: Length of Loan
- Advanced: Calculation Details
House Mortgage (How-To)Automobile Loan (How-To)A Personal Loan to a friend (How-To)- Loan Specifications
- Accounts for the loan
- Lending the money
- Receiving first payment
- Receiving second payment
Reconciling with the Loan Statements (How-To)Selling a house or a car (How-To)- Simple Transaction
- A More Complex Transaction
- Chapitre 9. Investissements
- Basic Concepts
- Terminology
- Types of Investments
Setting Up Accounts- Using Predefined Investment Accounts
- Creating Investment Accounts Manually
- Custom Accounts Example
Interest Bearing Accounts- Account Setup
- Example
Setup Investment Portfolio- Setup Accounts for Stocks and Mutual Funds
- Example Stock Account
Buying Shares- Entering Preexisting Shares
- Buying New Shares
Setting Share Price- Initial Price Database Setup
- Setting Stock Price Manually
- Configuring for Automatic Retrieval of Quotes
- Displaying Share Value
- The “Price Source” in Reports
Selling Shares- Selling Shares with Manual Calculation of Capital Gain or Loss
- Selling Shares with Automatic Calculation of Capital Gain or Loss Using Lots
Dividends- Dividends in Cash
- Dividends Re-Invested
Return of CapitalSplits and Mergers- Simple Stock Split
- Moderately Complex Stock Merger
- Chapitre 10. Rapports
- Overview
- Saved Reports Configurations Concepts
- Standard Reports Overview
- Transaction Report
- Assets & Liabilities Group
- Budget Group
- Business Group
- Income and Expense Group
- Sample & Custom Group
- Other Reports
- Using the Transaction Report
- Chapitre 11. Gains en capital
- Basic Concepts
- Estimating Valuation
- Account Setup
- Example
- Unrealized Gains
- Selling
Taxation- Chapitre 12. Devises multiples
- Concepts de base : GnuCash prend en charge plus d'une centaine de monnaies, du franc andorran au dollar zimbabwéen. Par exemple, vous pouvez configurer un compte bancaire en euros et un autre en dollars de Hong Kong.
Voici des questions liées à l’utilisation de plusieurs devises : Comment transférer des fonds entre des comptes avec des devises différentes ? Comment calculer la valeur globale lorsque vous avez des comptes avec plusieurs devises ? Comment les rapports traitent-ils les devises mixtes ?
On peut :- traiter plusieurs devises en utilisant des transactions saisies manuellement pour enregistrer les gains et les pertes de change, comme décrit dans la section 12.2 “Manually Recording Currency Transaction”
- ou utiliser les comptes de mouvement de devises pour enregistrer automatiquement les gains et les pertes sur les transactions entre devises, comme décrit dans la section suivante. Les comptes de mouvement ne sont pas activés par défaut dans GnuCash et doivent être explicitement activés comme décrit dans la section 12.3, “Enregistrement automatique des transactions en devises à l'aide des comptes de mouvement”.
auto Automatically Recording Currency Transactions using Trading Accounts- Trading Account Concepts
- Recording Foreign Currency Transactions with Trading Accounts
Troisième partie - Les fonctions avancées
- Chapter 13. Business Features
- Introduction to Business Features
- Business Setup
- Account Setup
- Setting up Sales Tax Tables
- Enter Company Information
- Setting Business Preferences
- Setting Billing Terms
Accounts Receivable- System Components
- Customers
- Invoices
- Customer Jobs
- Process Payment
- Changing the Invoice Appearance
Accounts Payable- System Components
- Vendors
- Bills
- Vendor Jobs
- Process Payment
Payroll- Basic Concepts
- Account Setup
- Payroll Protocol Sample
- Business Payroll Example
- Chapter 14. Budgets
- Basic Concepts
- Terminology
Creating a Budget- Choose Which Accounts To Budget For
- Choosing a Budget Period
- Getting Started
- Entering Budget Values
Budget Reporting- Budgeted Income Statement
- Budgeted Balance Sheet
- Chapter 15. Other Assets
- General Concepts
- Other Assets Described
- Current Assets
- Long-term (Fixed) Assets
Current Assets- Short-term Receivables
- Reimbursable Expenses
- Travel Advances
- Prepaid Premiums or Prepaid Rent
- Suspense or Wash Accounts
Short or Long-term AssetsLong-term (Fixed) Assets- Land
- Buildings
- Leasehold Improvements
- Vehicles or Equipment
- Intangibles
- Chapter 16. Depreciation
- Basic Concepts
- Personal Finances
- Business
Estimating Valuation- Depreciation Schemes
Account SetupExample- Chapter 17. Python Bindings
- Chapter 18. Importing Business Data
- Importing Bills and Invoices
- General
- The format of the import file
- Import your data
- Feedback and statistics
- What could go wrong?
- Not supported invoice functionality
Importing Customers and Vendors- General
- The format of the import file
- Import your data
- Feedback and statistics
- What could go wrong?
- Not supported customer/vendor functionality
Quatrième partie - Annexes
- A. Migration Guide
- Using Accounts vs. Categories
- Importing Data
- Import of Financial Data by QIF Files
- Import of Business Data by CSV Files
Converting XML GnuCash File- B. Auxiliary File Formats
- Check Format Files (*.chk)
- Overview
- Example file
- Field Descriptions
- Creating Check Format Files
Voir aussi